2007年 道指, 納指, 標普指數綜論

Stocks Drop on Disappointment With Fed
Tuesday August 28, 3:47 pm ET
By Joe Bel Bruno, AP Business Writer
Wall Street Retreats As Federal Reserve Minutes Fail to Soothe Investors

NEW YORK (AP) -- Volatility returned to Wall Street Tuesday, sending stocks plunging as investors grew more uneasy about the economy and whether the Federal Reserve will take the steps needed to prevent credit market problems from spreading further. The Dow Jones industrials fell more than 250 points.

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The market found little to assuage its concerns in minutes from the Fed's last meeting, released during afternoon trading. The major indexes' losses steepened after investors parsed the minutes for signs of a possible cut in interest rates.

There had been some hope on the Street that Fed policymakers might have sent a stronger signal that they were more willing to cut interest rates to help calm turbulent market conditions. But in the minutes from the Federal Open Market Committee's Aug. 7 meeting, while the central bank noted the turmoil in the markets and said, "to the extent such a development could have an adverse effect on growth prospects, might require a policy response," it didn't discuss a cut in the benchmark federal funds rate that Wall Street has wanted.

The meeting predated a number of actions taken by the central bank to try to alleviate market volatility, including the Aug. 17 lowering of the discount rate, the interest the Fed charges banks to borrow money. Wall Street, despite a calmer week after that step, seems to be growing more dissatisfied because the Fed has not yet lowered the funds rate.

"This is backward looking right now, the main thing you have to take out of this is the Fed continues to be worried about inflation and economic growth," said Ryan Larson, senior trader with Voyageur Asset Management. "They have already assured they stand ready to do something. But, the market was looking for more of a nod or a mention toward the credit problems -- and I don't think they got it."

Stocks were down the entire session on further worries about the economy. The Conference Board's report that consumer confidence sagged in August amid volatile financial markets and ongoing housing problems added to the downbeat mood on the Street. Keeping alive credit worries, a Standard & Poor's housing index showed that U.S. home prices in the second quarter posted the sharpest decline since 1987.

In late afternoon trading, the Dow fell 252.97, or 1.90 percent, to 13,069.16.

Broader stock indicators were also lower. The Standard & Poor's 500 index was down 29.51, or 2.01 percent, at 1,437.28, and the Nasdaq composite index shed 51.81, or 2.02 percent, to 2,509.44.

YEN114.35
收市前﹐成交放大﹐越跌越成交大﹐沽貨嚴重

[ 本帖最後由 aloha777 於 29-8-2007 04:05 編輯 ]
多重不利消息打擊 道指跌280點收市
【04:08】2007年08月29日
【on.cc專訊】 本已因美國消費者信心跌至一年低位,而在周二早段下跌的美國股市,在周二下午因聯儲局公開的會議紀錄顯示,公開市場委員會成員擔心金融市場環境將惡法而跌勢加劇,三大股票指數在收市時跌幅均逾2%。

道瓊斯工業平均指數收市時報13,041.85點,下跌280.28點或2.11%;納斯達克指數場報2,500.64點,下跌60.61點或2.37%;標準普爾五百指數則報1,432.43點,下挫34.36點或2.34%。

市場人士指出,聯儲局會議紀錄只稱會考慮對房屋市場衰退,而可能引發的信貸條件惡化採取「政策行動」,顯示成員未有討論減息,與市場預期有出入,從而令美股跌勢加劇。
原帖由 #賭精# 於 29-8-2007 04:52 發表

呢日終於等到喇,捱到喇,不枉晚晚睇到天光,好波!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!!
我都系訓到3點半起身﹗賭兄﹐你有再揸沽期指﹖
Dow         13,189.14         Down 100.15 (0.75%)
美股繼上日反彈之後個別發展,市場仍然憂慮信貸危機會損害銀行盈利,以及限制消費者支出,但美國第二季經濟增長向上修訂至 4%,是去年初以來最大升幅,主要受到私人企業投資增長帶動,數據為科技股帶來支持,納斯達克指數收市報2565點,上升2點。蘋果股價升1.6%。 道瓊斯指數收市報報13238點,下跌50點。標準普爾500指數收市報1457點,下跌6點。 雷曼兄弟調低多間投資銀行的盈利預測,其中高盛、摩根士丹利及美股股價全部下跌超過1%。另外,沃爾瑪受美林調低投資評級影響,股價下跌2%。按揭貸款機構房貸美公布第二季盈利下45%,股價下挫5%。
rthk.org.hk
吃飽飽後回來﹐見你們說歐洲點唔掂﹐一切意料中事﹐只不過YEN現做115.56更是意料之外.

YEN是真正主宰全球的指標
強烈不滿管理員或前版主處事雙重標準﹐如何令人信服﹖
http://www.hkreporter.com/talks/viewthread.php?tid=6528&extra=page%3D1
原帖由 kcchung2 於 5-9-2007 21:16 發表


誠信破產!  無人再信你!
好呀﹗多謝您
強烈不滿管理員或前版主處事雙重標準﹐如何令人信服﹖
http://www.hkreporter.com/talks/viewthread.php?tid=6528&extra=page%3D1
今晚老美只要跌﹐就能証明一切是幻象
強烈不滿管理員或前版主處事雙重標準﹐如何令人信服﹖
http://www.hkreporter.com/talks/viewthread.php?tid=6528&extra=page%3D1
歐股下滑 法股收市瀉2.1%
【00:14】2007年09月06日
【on.cc專訊】 歐洲三大股市周三全線向下,主要由於歐洲央行表示可能再度出招穩定市場,及英倫銀行首次向銀行拆出低息資金的舉動,市場關注這可能反映信貸緊縮問題正在惡化,擔心企業盈利將受影響。
英國富時100指數下跌106.1點或1.66%,收報6,270.7;法國CAC指數急挫121.17點或2.14%,以5,551.55告終;德國DAX指數收盤報7,588.03,失掉133.74點或1.73%。
強烈不滿管理員或前版主處事雙重標準﹐如何令人信服﹖
http://www.hkreporter.com/talks/viewthread.php?tid=6528&extra=page%3D1